Kaman Corporation(KAMN) USD 22.49
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.89%USD 0.2USD0.22023-03-20
20223.56%USD 0.8USD0.22022-12-19
USD0.22022-09-19
USD0.22022-06-17
USD0.22022-03-14
20213.56%USD 0.8USD0.22021-12-20
USD0.22021-09-20
USD0.22021-06-21
USD0.22021-03-15
20203.56%USD 0.8USD0.22020-12-14
USD0.22020-09-14
USD0.22020-06-22
USD0.22020-03-16
20193.56%USD 0.8USD0.22019-12-16
USD0.22019-09-16
USD0.22019-06-17
USD0.22019-03-18
20183.56%USD 0.8USD0.22018-12-17
USD0.22018-09-17
USD0.22018-06-18
USD0.22018-03-19
20173.56%USD 0.8USD0.22017-12-18
USD0.22017-09-18
USD0.22017-06-16
USD0.22017-03-17
20163.20%USD 0.72USD0.182016-12-16
USD0.182016-09-16
USD0.182016-06-17
USD0.182016-03-11
20153.20%USD 0.72USD0.182015-12-11
USD0.182015-09-11
USD0.182015-06-12
USD0.182015-03-13
20142.85%USD 0.64USD0.162014-12-12
USD0.162014-09-12
USD0.162014-06-13
USD0.162014-03-14
20132.85%USD 0.64USD0.162013-12-20
USD0.162013-10-04
USD0.162013-06-14
USD0.162013-03-15
20122.85%USD 0.64USD0.162012-12-20
USD0.162012-10-04
USD0.162012-06-15
USD0.162012-03-16
20112.67%USD 0.6USD0.162011-12-22
USD0.162011-10-05
USD0.142011-06-16
USD0.142011-03-17
20102.49%USD 0.56USD0.142010-12-22
USD0.142010-10-06
USD0.142010-06-17
USD0.142010-03-18
20092.49%USD 0.56USD0.142009-12-17
USD0.142009-10-07
USD0.142009-06-18
USD0.142009-03-19
20082.49%USD 0.56USD0.142008-12-18
USD0.142008-10-02
USD0.142008-06-19
USD0.142008-03-19
20072.36%USD 0.53USD0.142007-12-20
USD0.142007-10-03
USD0.1252007-06-21
USD0.1252007-03-22
20062.22%USD 0.5USD0.1252006-12-21
USD0.1252006-10-04
USD0.1252006-06-22
USD0.1252006-03-23
20052.16%USD 0.485USD0.1252005-12-21
USD0.1252005-10-07
USD0.1252005-06-23
USD0.112005-03-23
20041.96%USD 0.44USD0.112004-12-22
USD0.112004-10-08
USD0.112004-06-24
USD0.112004-03-25
20031.96%USD 0.44USD0.112003-12-24
USD0.112003-10-06
USD0.112003-06-26
USD0.112003-03-20
20021.96%USD 0.44USD0.112002-12-26
USD0.112002-10-07
USD0.112002-06-27
USD0.112002-03-21
20011.96%USD 0.44USD0.112001-12-27
USD0.112001-09-27
USD0.112001-06-25
USD0.112001-03-22
20001.96%USD 0.44USD0.112000-12-14
USD0.112000-09-28
USD0.112000-07-03
USD0.112000-03-23